Wood (As CO-EXECUTOR and Trustee of the Will of the Deceased) v Wood [No 2]

Case

[2014] WASC 387

27 OCTOBER 2014

No judgment structure available for this case.

WOOD (AS CO-EXECUTOR AND TRUSTEE OF THE WILL OF THE DECEASED) -v- WOOD [No 2] [2014] WASC 387



SUPREME COURT OF WESTERN AUSTRALIACitation No:[2014] WASC 387
27/10/2014
Case No:CIV:1786/201422 AUGUST 2014
Coram:KENNETH MARTIN J22/08/14
14Judgment Part:1 of 1
Result: Subpoenas set aside
B
PDF Version
Parties:FIONA MELANIE WOOD (AS CO-EXECUTOR AND TRUSTEE OF THE WILL OF THE DECEASED)
MORGAN HOWARD SOLOMON (AS CO-EXECUTOR AND TRUSTEE OF THE WILL OF THE DECEASED)
FIONA MELANIE WOOD
KURT RUDOLF BAUR
ROBERT CHARLES SCOTT
CATHERINE ANNE HARRIES
LISA HANNAN
SHIRLEY FLETCHER
JANICE DOREEN MORRIS
STEPHEN ALAN TAYLOR
SIMONE MARGARET BARR VARNER
ONDIT PTY LTD
THE FIONA WOOD FOUNDATION
BENJAMIN SCOTT RUSSEL HANNAN
ALICE YAOLI HARRIES
GRACE CATHERINE HARRIES
SARAH JAYNE FLETCHER
SAMANTHA JENNIFER BALLANTYNE
MICHELLE ANNE MATTHEWS
SUZANNE GRACE MORGAN
JOHANNA PICHLER
KLEMENS PICHLER
BETTY BALLANTYNE
DWYERS LEGAL PTY LTD
BBV LEGAL PTY LTD

Catchwords:

Civil law and procedure
Subpoenas
s 92 Trustees Act application by executors and trustees
Subpoena to executors' and trustees' solicitors of record
Objection to return
Legal professional privilege
Oppression
Case management considerations
Subpoenas set aside

Legislation:

Nil

Case References:

Areva NC (Australia) Pty Ltd v Summit Resources (Australia) Pty Ltd [2007] WASC 276
Macedonian Orthodox Community Church St Petka Inc v His Eminence Petar the Diocesan Bishop of Macedonian Orthodox Diocese of Australia and New Zealand [2008] HCA 42; (2008) 237 CLR 66
Schreuder v Murray [No 2] [2009] WASCA 145; (2009) 41 WAR 169
Wookey v Quigley [No 5] [2011] WASC 275


JURISDICTION : SUPREME COURT OF WESTERN AUSTRALIA
    IN CHAMBERS
CITATION : WOOD (AS CO-EXECUTOR AND TRUSTEE OF THE WILL OF THE DECEASED) -v- WOOD [No 2] [2014] WASC 387 CORAM : KENNETH MARTIN J HEARD : 22 AUGUST 2014 DELIVERED : 22 AUGUST 2014 PUBLISHED : 27 OCTOBER 2014 FILE NO/S : CIV 1786 of 2014 MATTER : Section 92 of the Trustees Act 1962 (WA)

    The Will and Estate of Jennifer Ballantyne (Dec)
BETWEEN : FIONA MELANIE WOOD (AS CO-EXECUTOR AND TRUSTEE OF THE WILL OF THE DECEASED)
    First Plaintiff

    MORGAN HOWARD SOLOMON (AS CO-EXECUTOR AND TRUSTEE OF THE WILL OF THE DECEASED)
    Second Plaintiff

    AND

    FIONA MELANIE WOOD
    First Defendant

    KURT RUDOLF BAUR
    Second Defendant

    ROBERT CHARLES SCOTT
    Third Defendant

    CATHERINE ANNE HARRIES
    Fourth Defendant

    LISA HANNAN
    Fifth Defendant

    SHIRLEY FLETCHER
    Sixth Defendant

    JANICE DOREEN MORRIS
    Seventh Defendant

    STEPHEN ALAN TAYLOR
    Eighth Defendant

    SIMONE MARGARET BARR VARNER
    Ninth Defendant

    ONDIT PTY LTD
    Tenth Defendant

    THE FIONA WOOD FOUNDATION
    Eleventh Defendant

    BENJAMIN SCOTT RUSSEL HANNAN
    Twelfth Defendant

    ALICE YAOLI HARRIES
    Thirteenth Defendant

    GRACE CATHERINE HARRIES
    Fourteenth Defendant

    SARAH JAYNE FLETCHER
    Fifteenth Defendant

    SAMANTHA JENNIFER BALLANTYNE
    Sixteenth Defendant

    MICHELLE ANNE MATTHEWS
    Seventeenth Defendant

    SUZANNE GRACE MORGAN
    Eighteenth Defendant

    JOHANNA PICHLER
    Nineteenth Defendant

    KLEMENS PICHLER
    Twentieth Defendant

    BETTY BALLANTYNE
    Twenty-first Defendant

    DWYERS LEGAL PTY LTD
    First Applicant

    BBV LEGAL PTY LTD
    Second Applicant

Catchwords:

Civil law and procedure - Subpoenas - s 92 Trustees Act application by executors and trustees - Subpoena to executors' and trustees' solicitors of record - Objection to return - Legal professional privilege - Oppression - Case management considerations - Subpoenas set aside

Legislation:

Nil

Result:

Subpoenas set aside


Category: B


Representation:

Counsel:


    First Plaintiff : Mr L A Tsaknis
    Second Plaintiff : Mr L A Tsaknis
    First Defendant : No appearance
    Second Defendant : Mr M P Bruce
    Third Defendant : Mr S Macdonald
    Fourth Defendant : No appearance
    Fifth Defendant : No appearance
    Sixth Defendant : No appearance
    Seventh Defendant : No appearance
    Eighth Defendant : No appearance
    Ninth Defendant : No appearance
    Tenth Defendant : No appearance
    Eleventh Defendant : No appearance
    Twelfth Defendant : No appearance
    Thirteenth Defendant : No appearance
    Fourteenth Defendant : No appearance
    Fifteenth Defendant : No appearance
    Sixteenth Defendant : No appearance
    Seventeenth Defendant : Mr S Macdonald
    Eighteenth Defendant : No appearance
    Nineteenth Defendant : No appearance
    Twentieth Defendant : No appearance
    Twenty-first Defendant : No appearance
    First Applicant : Mr S Penglis
    Second Applicant : Mr S Penglis

Solicitors:

    First Plaintiff : Bowen Buchbinder Vilensky & Dwyer Durack Lawyers
    Second Plaintiff : Bowen Buchbinder Vilensky & Dwyer Durack Lawyers
    First Defendant : No appearance
    Second Defendant : Bennett + Co
    Third Defendant : Macdonald Rudder
    Fourth Defendant : No appearance
    Fifth Defendant : No appearance
    Sixth Defendant : No appearance
    Seventh Defendant : No appearance
    Eighth Defendant : No appearance
    Ninth Defendant : No appearance
    Tenth Defendant : No appearance
    Eleventh Defendant : No appearance
    Twelfth Defendant : No appearance
    Thirteenth Defendant : No appearance
    Fourteenth Defendant : No appearance
    Fifteenth Defendant : No appearance
    Sixteenth Defendant : No appearance
    Seventeenth Defendant : Macdonald Rudder
    Eighteenth Defendant : No appearance
    Nineteenth Defendant : No appearance
    Twentieth Defendant : No appearance
    Twenty-first Defendant : No appearance
    First Applicant : In person
    Second Applicant : In person



Case(s) referred to in judgment(s):

Areva NC (Australia) Pty Ltd v Summit Resources (Australia) Pty Ltd [2007] WASC 276
Macedonian Orthodox Community Church St Petka Inc v His Eminence Petar the Diocesan Bishop of Macedonian Orthodox Diocese of Australia and New Zealand [2008] HCA 42; (2008) 237 CLR 66
Schreuder v Murray [No 2] [2009] WASCA 145; (2009) 41 WAR 169
Wookey v Quigley [No 5] [2011] WASC 275


    KENNETH MARTIN J:

    (This judgment was delivered extemporaneously on 22 August 2014 and has been edited from the transcript).


1 This is a challenge by two firms of solicitors against answering subpoenas received by them at the behest of the second defendant.

2 The firms are the solicitors for the plaintiffs in this action. On Monday week, there is listed before me an application made by Morgan Howard Solomon and Professor Fiona Melanie Wood (the Executors) for directions under s 92 of the Trustees Act 1962 (WA).

3 An amended originating summons filed by the Executors seeks directions as executors and trustees of the will of Jennifer Ballantyne (deceased), pursuant to s 92 of the Trustees Act, in these proceedings, in which, I note, there are currently some 21 different defendants.

4 The application relates to the estate of the late Jennifer Ballantyne, who died on 7 July 2012. Directions are sought by the Executors across litigation, which has occupied myself and another CMC list judge of this court. The particular directions sought may be identified in respect of the subsisting litigation under pars 1, 3, 4, 5 and 6 of that amended originating summons filed 4 August 2014.

5 In assessing the subpoenas issued and their utility, the approach of a court in addressing a trustee or an executor's application for directions seeking private advice needs to be kept in mind from the outset. The first thing that needs to be recognised is that s 92 Trustees Act proceedings are not adversarial in character. They are private proceedings designed to assist trustees in the administration of their trustee responsibilities and, consequently, carry a repercussion of assisting the administration of the estate. I mention, in the context of s 63 of the Trustee Act 1925 (NSW), Macedonian Orthodox Community Church St Petka Inc v His Eminence Petar the Diocesan Bishop of Macedonian Orthodox Diocese of Australia and New Zealand [2008] HCA 42; (2008) 237 CLR 66, with s 63 stated at [34] of the plurality reasons. I mention from that decision the plurality's eight general points at [55].

6 There are some variations, of course, as between the New South Wales and Western Australian legislation. But a major repercussion as regards a trustee's costs indemnity under the Trustees Act 1962 (WA) can be seen under s 95(1) qualified, of course, by s 95(2).

7 A trustee carries an exposure, even after obtaining and following the directions of a court, if there has been fraud, or wilful concealment or misrepresentation in obtaining the directions or in acquiescing in the court making orders giving a direction.

8 In providing private advice to trustees under s 92 I re-emphasise I am not determining the ultimate merits of the underlying litigation.

9 This trustees' private advice application is summary in its workings. There will be no drilling down to resolve the merits of finer points of multifaceted aspects of what is, on any view, a complex series of surrounding actions.

10 That overall perspective bears upon the utility of Mr Rudolf Baur's present subpoenas issued to the two firms of solicitors currently acting for the Executors.

11 For the purposes of a looming s 92 hearing next Monday, I have already issued a number of case management directions.

12 The present applications to set aside the subpoenas arise out of the circumstances in which only last Friday, 15 August 2014, two subpoenas were issued by Mr Baur's solicitors to the Executors' two firms of solicitors (acting in the Robert Charles Scott and Baur litigation distinctly, for the Executors). Mr Baur, of course, is the second defendant in CIV 1786 of 2014. The document production subpoenas as issued are made returnable to me today.

13 The subpoenas have been issued to the proper officer for the respective solicitors. There are, as mentioned, the two firms of solicitors involved for the Executors, who are the first and second plaintiffs in CIV 1786 of 2014. The first subpoena was issued to the proper officer of Dwyers Legal Pty Ltd. The other was to the proper officer of BBV Legal Pty Ltd.

14 The requests for documents to be produced under each subpoena are formulated in similar terms, albeit issued to the different legal corporations.

15 After some schedule definitions, the proper officer of the law firms has been required to produce (working from the document subpoena directed to Dwyers Legal):

'Communications', other than 'Excluded Communications' (these being defined terms) between:


    (a) Dr Wood and Mr Solomon;

    (b) Dr Wood and BBV Legal;

    (c) Mr Solomon and BBV Legal;

    (d) BBV Legal and Dwyer Durack;

    (e) BBV Legal and 'Counsel' (another defined term);

    (f) BBV Legal and Jackson McDonald;


'concerning the administration of or the management of the Estate'.

16 By the definitions, which precede that request, 'the Estate' is the estate of the late Jennifer Ballantyne.

17 A defined term 'Excluded Communications' is seen to be the subject of a 'carve-out' by the first line.

18 'Excluded Communications' is seen to be defined as meaning 'Communications which contain legal advice: (a) for the benefit of Dr Wood and Mr Solomon, or either of them, personally; and (b) for which the Estate has not paid, and for which it has no liability to make payment'.

19 I was told that this carve-out for 'Excluded Communications' was framed by reference to some observations in Schreuder v Murray [No 2] [2009] WASCA 145; (2009) 41 WAR 169. There was mentioned in that appeal a privileged category of legal proceedings. Buss JA said:


    (f) The beneficiary will not be entitled to a joint privilege with the trustee if the confidential communications, information or documents relate to legal services obtained for the benefit of the trustee personally (for example, if the trustee seeks legal advice as to his or her personal rights or liabilities in connection with an alleged breach of trust or threatened legal proceedings against him or her personally).

    It is unnecessary to consider the position of a beneficiary who has a contingent interest or a mere expectancy in relation to the trust fund. At all material times Mrs Murray has had a vested interest in the residuary estate. [94]


20 Arguments unfolded today in terms of whether the present subpoenas which, by the term 'Excluded Communications' exclude legal advice which the Executors have taken or obtained personally (and for which the estate had not paid), do in fact render any protection against production in respect of an abiding legal professional privilege. That formulation would not cover legal advice obtained by the Executors, albeit paid for by the estate. Hence any legal advice obtained by the Executors in the capacity of executors and trustees, given as to the merits or demerits of a claim by one or more of the beneficiaries like, such as in this case, the claims against the estate by Mr Baur, would not be privileged from production and would be caught by these subpoenas.

21 These are urgent circumstances where I am determining the objections to answering upon these subpoenas. It is enough for me to say only that after hearing the arguments I would be very concerned if, in fact, any or all of an estate's beneficiaries might obtain access to executors' and trustees' confidential legal advice by reason of the beneficiary sharing in a joint or common interest in what is otherwise privileged legal advice for situations where there were adversarial proceedings on foot, as between a trustee/executor and a particular beneficiary. That would seem to me a surprising outcome, extending in its implications somewhat further than what was contemplated under the Schreuder [94(f)] formulation and there dealing with far different circumstances than manifest currently before me. A litigious dispute as between a beneficiary and trustees would also seem to remove the basis for the continuance of any level of common interest privilege.

22 But, in the end, it is not necessary for me to determine that issue.




Materials

23 A number of affidavits were put up on either side today, objecting to and resisting the subpoenas being answered. I refer to the affidavit sworn by David Vilensky for BBV Legal Pty Ltd on 21 August 2014, and an affidavit of Daniel Ryan Gill sworn 21 August 2014 on behalf of Dwyers Legal Pty Ltd.

24 Opposing counsel for both legal corporations, Mr Penglis, appeared today and assisted me with both written and oral submissions. It was contended both subpoenas should be set aside on various grounds. First it was contended the subpoenas were a de facto application for general discovery, made against the solicitors for the Executors. It was then said this was unprecedented, inappropriate and in the end, an abuse of process. Emphasis was directed to a point that even in fully adversarial proceedings, on an originating summons there is no right to general discovery. It is necessary to make an application to the court in such proceedings for leave to obtain general discovery.

25 Effectively then, these two subpoenas were contended by Mr Penglis to have been used as a 'backdoor' way to obtain general discovery. They were defective on that basis alone, so it was put.

26 The further submission was advanced that both subpoenas were, in effect, far too widely drawn in any event. Consequently, they were thereby oppressive and should be set aside. That was particularly so bearing in mind the time frame in which they were issued. Here there was effectively uncontradicted evidence in terms of an extremely onerous compliance burden these subpoenas would impose, time wise and resource wise, upon the solicitors for the Executors. This was in circumstances where all parties are urgently preparing for the s 92 Trustees Act directions and advice hearing, now only five and a half working days away.

27 Hence it was said, in effect, the Executors' solicitors' efforts in preparing for the looming hearing ought not be diverted in that quarter by a last minute requirement to urgently assemble vast amounts of documentary material at the behest of Mr Baur.

28 Mr Penglis submitted as well that the non-adversarial character of the s 92 proceedings had not been appreciated by these requests - in the sense that the stance of Mr Baur in seeking to have all this material was effectively to second-guess the materials already assembled by the Executors. Mr Baur's asserted position was that this court may not be being shown absolutely everything it needs to be shown by the Executors in making the directions currently sought by them.

29 Mr Penglis submits that this approach is, in effect, a misconception of the character of private advice proceedings which, as I have now explained, are not ultimately adversarial proceedings, which do not ultimately determine the merits or demerits of the underlying litigation.

30 The last ground of objection against answering the subpoenas, invoked by Mr Penglis, was by reference to general case management principles. This objection was that the time involved in dealing with answering these subpoenas and the amount of resources required to devote to that task, in circumstances where they had only emerged last Friday, not having even been foreshadowed beforehand (whether or not there may be a legitimate basis for giving some more limited aspects of discovery) was unsatisfactory and ought not to be countenanced.




Issuing party: Mr Baur's position

31 Mr Baur has sought to justify the requests under the subpoenas for the documentary materials. Submissions were put there in terms of the current state of the materials for the looming s 92 Trustees Act directions application, assembled by the Executors, being inadequate. Illustrations were given verbally and under an affidavit of Alexander James Tharby affirmed 21 August 2014 by reference to annexures, and in submissions I heard this morning about 'lines of enquiry'.

32 Mr Baur expressed his concerns in terms of whether the Executors have acted properly in terms of the directions they seek from the Court - by reference to contentions that there needs to be a fulsome document disclosure by the Executors for directions sought.

33 But that concern, I think, says more about the scope of the underlying surrounding litigation. In CIV 1412 of 2014 Mr Baur seeks that the Executors be removed and that he have transferred to him in specie all Ondit Pty Ltd (Ondit) shares he was left by the will of his late partner, Ms Jennifer Ballantyne.

34 It was put to me by counsel for Mr Baur on a number of occasions as a concern that the funds of the Ballantyne estate were being consumed in terms of an assembly of the materials that are now being sought. If that extends to requesting legal advice that was being paid for by the estate's funds, then there was, it was said, no reason why that advice ought to be kept from the Court and, indeed, from Mr Baur.

35 Mr Baur, axiomatically, is not a direct party as such in adversarial litigation, as regards CIV 1786 of 2014. He is only a participant who will be heard, but he is not an adverse party. Yet the objective today under these subpoenas, in effect, betrays Mr Baur's attempt to audit and effectively 'second guess' the materials that have been put before the Court by the Executors to seek their s 92 directions.




Evaluation

36 Mr Baur's requests under his two document subpoenas to the Executors' solicitors reflects an unprincipled approach. It is, as well, highly impractical to achieve in terms of possible implementation.

37 I also appreciate an underlying history of distrust here, in terms of what has led to the present document requests and the underlying correlative litigation that falls to be determined elsewhere. It is almost inevitable that the existence of the surrounding, unresolved litigation will generate suspicion, distrust and concern. That is frequently the nature of unresolved litigation, unfortunately.

38 Nevertheless, there is a sheer impracticality in Mr Baur, in effect, asking the Court to weigh the already voluminous levels of Executor documentation for the pending advice application already attached to affidavits, then assess it all from a perspective of asking what further genres of documentation might have possibly accompanied it and give the Executors' affidavits and appended documents a different colour or meaning. That is simply not practical. Moreover, it presents as a time consuming and ultimately unduly costly exercise - of minimal end utility in the looming s 92 application.

39 Effectively then, I must accept the submissions of Mr Penglis on behalf of the subpoena recipients, in terms of setting aside each subpoena - on the primary basis it will be clearly oppressive for the respective solicitors at this time to assemble potentially vast amounts of documentation. It would also be contrary to recognised case flow management principles for that to be required of them at this time.

40 I said in Wookey v Quigley [No 5] [2011] WASC 275 that the Court must still keep a firm curial oversight over the issues of document subpoenas, albeit they are now issued without leave before a trial or other hearing. This is one such occasion. They may, of course, issue out of this court without leave and thereby without the former levels of oversight under the regime of leave that used to be required. That was discussed by the Chief Justice in the Areva NC (Australia) Pty Ltd v Summit Resources (Australia) Pty Ltd [2007] WASC 276 decision.

41 The Court's vigilance in terms of overseeing the proper invocation of its compulsive processes has not abated.

42 Here, in particular, I am influenced first by the character of the underlying s 92 Trustees Act proceedings, which are not adversarial. They would not ordinarily support even a request for general discovery. Second, I am also influenced by the imminent proximity of the hearing of the s 92 Trustees Act advice application, which now looms only five and a half working days away. There is an already large enough amount of documentary materials assembled by the Executors that will need to be evaluated on that application - without adding even more to the mix for what presents as little discernible end result.

43 Third, I am also influenced by the fact that the document requests under these subpoenas of Mr Baur are framed far too widely. They are omnibus in their reach and insufficiently targeted - in terms of specifying a particular document or a more limited category of document. There is a vast amount of documentary material already assembled by the Executors to date which can be seen via Mr Solomon's six affidavits - all proposed to be read on the s 92 application. Careful analysis of that material by Mr Baur might otherwise have led to a more targeted request for a handful of documents as a particular category, class or by a requested topic of document - identified as potentially missing. A limited document request of that nature may then generate a basis for a properly focused and more intelligent dialogue over whether such a document really was, or was not, needed to be produced. Such a focused debate could not unfold here due to the undue breadth of the two subpoenas, as drawn.

44 The omnibus character of the document requests effectively requires any classes of communication concerning the administration and management of the Ballantyne estate - with the (ungenerous) exception as mentioned, of certain defined excluded documents.

45 For the ordinary case, I would express my concerns over the legitimacy of the wide ambit of an unfocused request of that kind under any document subpoena. Trawling documents of that kind are to be discouraged. But here, given a special non-adversarial character of the advice hearing, such wide ranging document requests now seen formulated are demonstrably inappropriate.

46 I also assess these to be an unacceptable prejudice against the Executors by their solicitors from a hearing preparation interruption perspective, given the s 92 Trustees Act hearing now looms as so close at this time.

47 None of that, of course, detracts from the fact that parties engaged in litigation, even of this special character, ought to act reasonably and sensibly. They should confer first where one side thinks it can identify some obvious gap or important missing documents that might bear upon what the Court properly needs to consider on an application such as that presently pending.

48 I will not set aside the subpoenas on the basis of abuse of process, as was asserted. Whilst I am not satisfied to that level, I will accept the submission of Mr Penglis that the nature and scope of the document requests under the two subpoenas considered is unprecedented. Nevertheless, I prefer to set both subpoenas aside on the basis, first, that they are oppressive as formulated; and second, that they are in violation of case flow management principles, bearing in mind the underlying circumstances in which they have issued.

49 I set aside both subpoenas.